SVQF Screener

Strong value factors, strong quality factors, and Sharemaestro Composite rankings across full exchange universes.

Jul 19, 2026
How this screener works

This screener ranks companies with a strict value and quality framework based on strong value factors and strong quality factors. Every row is a completed weekly snapshot calculated deterministically across the selected exchange from published, rankable factor data. Rows with non-positive EV, EBIT, quality return on capital, or economically implausible unit/currency artefacts are excluded from SVQF ranking so loss-making or structurally invalid multiples cannot rise to the top.

SVF — Value Screen

Ranks a strong value factor: EV / EBIT. Lower positive multiples rank better, measuring how cheaply the operating business can be acquired.

SQF — Quality Screen

Ranks strong quality factors: EBIT / EV plus EBIT / (NWC + Net PPE). Lower rank sum is better. Extreme ROC readings caused by tiny operating-capital bases are filtered before ranking, so the quality screen does not reward fragile denominator effects.

Composite Score

Combines SVF and SQF into the Sharemaestro Composite: 50% SVF rank plus 50% SQF rank. Lower score is better.

Filters

  • Exclude Financials — removes banks, insurers, and financial companies where these metrics are structurally less comparable.
  • Market Cap — segment by company size to compare like-for-like.
  • Sector / Industry — drill into specific business themes.

Tip: click a ticker symbol to open the Sharemaestro terminal for deeper analysis.

Exchange
Snapshot
Market Cap
Sector
Industry
Reset
NYSE Jul 19, 2026 Sharemaestro Composite Financials excluded 940 results
# Ticker Company Sector Industry Score SQF SVF EV/EBIT EY ROC Mkt Cap
801 ADM Archer-Daniels-Midland Company Consumer Defensive Farm Products 849.00 1624 811 27.88x 3.59% 8.45% 41.40B
802 BA The Boeing Company Industrials Aerospace & Defense 850.00 1435 916 39.23x 2.55% 18.69% 168.72B
803 SRE Sempra Energy Utilities Utilities - Diversified 850.00 1697 783 25.96x 3.85% 5.85% 60.30B
804 BG Bunge Global SA Consumer Defensive Farm Products 851.00 1709 781 25.77x 3.88% 5.52% 23.12B
805 HCC Warrior Met Coal Inc Basic Materials Coking Coal 851.50 1671 798 26.74x 3.74% 6.64% 4.17B
806 MSC Studio City International Holdings Ltd Consumer Cyclical Resorts & Casinos 853.50 1738 772 25.39x 3.94% 3.81% 315.8M
807 ALC Alcon AG Healthcare Medical Instruments & Supplies 855.50 1521 882 33.47x 2.99% 14.30% 34.27B
808 FIGS Figs Inc Consumer Cyclical Apparel Manufacturing 856.00 1528 876 32.99x 3.03% 13.79% 1.72B
809 AIV Apartment Investment and Management Co Real Estate Reit - Residential 856.00 1754 769 25.32x 3.95% 2.80% 392.7M
810 TTI Tetra Technologies Inc Industrials Conglomerates 856.50 1539 867 31.92x 3.13% 13.15% 1.37B
811 AMRC Ameresco Inc Industrials Engineering & Construction 857.00 1735 780 25.72x 3.89% 4.44% 1.22B
812 ATI Allegheny Technologies Incorporated Industrials Metal Fabrication 860.00 1444 933 42.33x 2.36% 19.07% 25.41B
813 PFGC Performance Food Group Co Consumer Defensive Food Distribution 860.50 1609 845 29.97x 3.34% 10.02% 17.56B
814 BHE Benchmark Electronics Inc Technology Electronic Components 862.50 1582 860 31.02x 3.22% 11.13% 2.81B
815 CWT California Water Service Group Utilities Utilities - Regulated Water 862.50 1749 786 26.02x 3.84% 3.91% 3.11B
816 IPI Intrepid Potash Inc Basic Materials Agricultural Inputs 864.50 1763 784 26.00x 3.85% 3.16% 459.4M
817 OI O-I Glass Inc Consumer Cyclical Packaging & Containers 870.00 1724 814 28.03x 3.57% 5.89% 1.40B
818 CPT Camden Property Trust Real Estate Reit - Residential 871.50 1715 820 28.32x 3.53% 6.24% 11.19B
819 FND Floor & Decor Holdings Inc Consumer Cyclical Home Improvement Retail 873.50 1688 835 29.46x 3.39% 7.07% 6.14B
820 TCI Transcontinental Realty Investors Real Estate Real Estate Services 873.50 1790 795 26.66x 3.75% 2.10% 394.0M
821 DEI Douglas Emmett Inc Real Estate Reit - Office 876.00 1498 938 43.86x 2.28% 17.24% 2.10B
822 CPRI Capri Holdings Ltd Consumer Cyclical Luxury Goods 876.50 1695 838 29.62x 3.38% 6.97% 1.88B
823 HPE Hewlett Packard Enterprise Co Technology Communication Equipment 877.50 1425 976 60.77x 1.65% 22.15% 60.68B
824 WY Weyerhaeuser Company Real Estate Reit - Specialty 879.50 1542 910 37.70x 2.65% 14.57% 17.66B
825 NPO Enpro Industries Industrials Specialty Industrial Machinery 881.50 1406 994 76.78x 1.30% 24.48% 6.82B
826 GIL Gildan Activewear Inc. Consumer Cyclical Apparel Manufacturing 882.50 1637 869 32.01x 3.12% 9.83% 10.01B
827 MATV Mativ Holdings Inc. Basic Materials Specialty Chemicals 882.50 1755 821 28.49x 3.51% 5.36% 442.0M
828 MNR Mach Natural Resources LP Energy Oil & Gas E&P 884.00 1785 818 28.12x 3.56% 3.66% 2.19B
829 BIO Bio-Rad Laboratories Inc Healthcare Medical Devices 885.50 1629 878 33.20x 3.01% 10.27% 8.15B
830 MSGE Madison Square Garden Entertainment Corp Communication Services Entertainment 887.50 1595 906 37.39x 2.67% 12.68% 3.56B
831 ACI Albertsons Companies Consumer Defensive Grocery Stores 888.00 1774 829 29.14x 3.43% 4.83% 7.40B
832 ALX Alexanders Inc Real Estate Reit - Retail 888.50 1676 868 31.99x 3.13% 8.64% 1.44B
833 XPO XPO Logistics Inc Industrials Trucking 889.00 1536 934 42.33x 2.36% 15.50% 25.25B
834 TNC Tennant Company Industrials Specialty Industrial Machinery 890.00 1625 892 34.41x 2.91% 10.74% 1.47B
835 ARL American Realty Investors Inc Real Estate Real Estate Services 890.00 1816 822 28.54x 3.50% 2.19% 256.5M
836 BIO-B Bio-Rad Laboratories Inc Healthcare Medical Devices 891.00 1637 886 33.69x 2.97% 10.27% 8.28B
837 MDV Modiv Inc Real Estate Reit - Industrial 892.50 1791 832 29.20x 3.42% 4.09% 190.6M
838 PLD Prologis Inc Real Estate Reit - Industrial 893.50 1715 864 31.69x 3.16% 7.13% 139.65B
839 WPC W P Carey Inc Real Estate Reit - Diversified 893.50 1767 841 29.70x 3.37% 5.56% 16.90B
840 NEE Nextera Energy Inc Utilities Utilities - Regulated Electric 894.00 1748 850 30.29x 3.30% 6.20% 185.20B
841 KR Kroger Company Consumer Defensive Grocery Stores 894.50 1730 859 30.86x 3.24% 6.67% 36.04B
842 UNF Unifirst Corporation Industrials Specialty Business Services 895.00 1634 896 34.90x 2.87% 10.54% 5.27B
843 GFL Gfl Environmental Holdings Inc Industrials Waste Management 895.50 1660 888 33.91x 2.95% 9.74% 14.28B
844 JHX James Hardie Industries PLC ADR Basic Materials Building Materials 896.00 1603 920 40.55x 2.47% 12.86% 14.98B
845 GNRC Generac Holdings Inc Industrials Specialty Industrial Machinery 896.50 1544 941 44.77x 2.23% 15.49% 12.65B
846 DOCN DigitalOcean Holdings Inc Technology Software - Infrastructure 897.00 1496 981 66.17x 1.51% 19.00% 13.90B
847 MOD Modine Manufacturing Company Consumer Cyclical Auto Parts 897.50 1512 973 58.20x 1.72% 17.99% 12.18B
848 AMBP Ardagh Metal Packaging SA Consumer Cyclical Packaging & Containers 898.00 1707 877 33.10x 3.02% 8.14% 2.80B
849 HIW Highwoods Properties Inc Real Estate Reit - Office 900.00 1792 846 30.05x 3.33% 4.83% 3.67B
850 P Everpure, Inc. Technology Computer Hardware 900.50 1463 1005 87.07x 1.15% 21.73% 23.06B
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